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   /       /       /    As Earnings Season Peaks, Jim Cramer Highlights These 10 Rules for Investing

As Earnings Season Peaks, Jim Cramer Highlights These 10 Rules for Investing

As Earnings Season Peaks, Jim Cramer Highlights These 10 Rules for Investing

Jim Cramer used a recent Mad Money segment on CNBC to restate his personal rules for investing. He argues that discipline, not luck, separates investors who survive market swings from those the market wipes out.

The segment landed as Wall Street works through the busiest stretch of the second-quarter earnings season. Big banks and mega-cap technology firms have already reported. Nvidia is still to come in late August.

Where Earnings Season Stands

The Q2 2026 season is running hot. Data shows a blended S&P 500 earnings growth rate of 47.4% year over year. That marks the second straight quarter of growth above 20%, and the fastest pace since Q2 2021.

With 61% of S&P 500 companies reporting so far, 86% have topped profit estimates. That beat rate sits well above the five-year average of 78%, according to FactSet.

Big Wall Street banks opened the season in mid-July. A wave of mega-cap technology reports followed in the back half of the month. Samsung’s record AI-chip quarter showed how strong artificial intelligence (AI) demand flowed into corporate results this quarter.

About 136 more S&P 500 companies are due to report in the coming week. Not every result has landed well, though. Roblox shares fell sharply after new child safety measures weighed on its outlook, despite a revenue beat. That drop shows strong headline growth has not shielded every company from a rough market reaction.

Nvidia is due to report in late August. Investors see it as the season’s biggest remaining test, given lingering questions over whether heavy AI capital spending is turning into revenue.

Cramer’s 10 Rules, Distilled

Against that backdrop, Cramer laid out the rules he says have kept him out of trouble over a long career.

He started with quality over price. Cramer argues that investors should buy “best of breed” companies even when their stocks look expensive. He said chasing cheap, lower-quality names rarely pays off.

He pointed to Apple and Nvidia as stocks where paying a premium multiple worked out over time. That view echoes a separate Mad Money segment where Cramer compared parts of the AI rally to the dot-com bust, warning that not every high-flying AI stock deserves the same benefit of the doubt.

From there, Cramer turned to patience. He said giving up on a high-quality stock during a rough patch is a mistake investors repeat constantly. He cited his own 2016 call on Apple as proof, when the stock traded near a low price-to-earnings ratio and later rallied hard.

His third rule looks past equities entirely. Cramer said investors ignore the bond market at their own risk, since bonds compete directly with stocks for capital. That rule carries extra weight now. The 30-year Treasury yield sits near its highest level since 2007, as traders question the Federal Reserve’s rate path.

The remaining rules cover portfolio discipline. Cramer said unexplained CEO or CFO resignations are almost always a sell signal. He also urged investors to expect corrections instead of treating each one as a shock. He tracks a proprietary overbought and oversold indicator to help decide when to raise or deploy cash.

Cramer also warned against buying a stock on hope alone. He said too many investors hold a falling stock and wait for it to climb back to their purchase price, instead of judging the business on its own merits.

He added that every investor should be able to explain a stock pick to another person before buying it. If an investor cannot describe how a company makes money, Cramer said, that signals unfinished homework. He pointed to speculative biotech and meme stocks as examples of positions people often hold without understanding the underlying business.

Cramer paired that rule with a broader skepticism toward hype. He said the internet has amplified Wall Street’s promotional machine. He also said money managers who pitch stocks on television are usually talking their own book rather than offering neutral advice.

His final two rules cover portfolio housekeeping. Cramer said investors should never sell winning positions to fund losing ones, since that habit lets weak stocks drag a portfolio down while investors trim strong ones too soon.

He also said investors should avoid speculating on a takeover just because a struggling company’s stock looks cheap. Acquirers target strong businesses, he argued, not weak ones.

What Comes Next

Cramer’s framework treats this earnings season as a live test of his own rules. Strong results from best-of-breed names would support his core argument. Any stumble from Nvidia in late August would test his patience-over-hope philosophy in real time.

For now, double-digit earnings growth and a jittery bond market give investors plenty of chances to apply both halves of Cramer’s playbook at once.

Source: BeInCrypto

03-08-2026
Cryptocurrencies / Cryptocurrency News

Cryptocurrency News

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Random quote about money

"Люди со средствами думают, что главное в жизни - любовь; бедняки знают точно, что главное - деньги."

Джералд Бренан

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